What is the "Current Value Estimate" of the fund?

FundersClub estimates the “Current Value Estimate” of a fund as of the Investment Report date by adding up any cash or cash equivalents in a fund with the “Current Value Estimates” of any investment holdings (using our Methodology) and netting out any carried interest (if applicable). Although we believe these estimates can provide a useful snapshot, they are inherently imprecise.

Have more questions? Submit a request

Comments

Powered by Zendesk